Companies:
10,652
total market cap:
HK$1097.980 T
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Watchlist
Account
Vanguard S&P Mid-Cap 400 Growth Index Fund ETF Shares
IVOG
#1010
ETF rank
HK$11.53 B
Marketcap
๐บ๐ธ US
Market
HK$1,012
Share price
1.03%
Change (1 day)
11.45%
Change (1 year)
๐บ๐ธ U.S. ETFs
Mid-Cap ETFs
๐ Growth ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
Distributions
Vanguard S&P Mid-Cap 400 Growth Index Fund ETF Shares - Holdings
Etf holdings as of
January 31, 2026
Number of holdings:
240
Full holdings list
Weight %
Name
Ticker
ISIN
Shares Held
2.06%
Ciena Corp.
CIEN
US1717793095
129604
1.93%
Coherent Corp.
COHR
US19247G1076
144395
1.61%
Lumentum Holdings Inc.
LITE
US55024U1097
65144
1.40%
Curtiss-Wright Corp.
CW
US2315611010
33881
1.35%
Flex Ltd.
FLEX
SG9999000020
339769
1.31%
Casey's General Stores Inc.
CASY
US1475281036
34162
1.30%
TechnipFMC plc
FTI
GB00BDSFG982
371679
1.26%
Pure Storage Inc. Class A
PSTG
US74624M1027
286859
1.23%
Royal Gold Inc.
RGLD
US7802871084
74444
1.22%
RB Global Inc.
RBA
CA74935Q1072
170617
1.17%
United Therapeutics Corp.
UTHR
US91307C1027
39561
1.10%
Woodward Inc.
WWD
US9807451037
55098
1.09%
BWX Technologies Inc.
BWXT
US05605H1005
84004
1.07%
Tempur Sealy International Inc.
SGI
US88023U1016
192867
1.06%
Twilio Inc. Class A
TWLO
US90138F1021
139304
1.05%
nVent Electric plc
NVT
IE00BDVJJQ56
148260
1.01%
Fabrinet
FN
KYG3323L1005
32918
1.01%
Kratos Defense & Security Solutions Inc.
KTOS
US50077B2079
155134
1.01%
XPO Logistics Inc.
XPO
US9837931008
107854
0.96%
Tenet Healthcare Corp.
THC
US88033G4073
80750
0.95%
Allegheny Technologies Inc.
ATI
US01741R1023
124834
0.92%
Talen Energy Corp.
TLN
US87422Q1094
41979
0.92%
Carpenter Technology Corp.
CRS
US1442851036
45774
0.91%
RBC Bearings Inc.
RBC
US75524B1044
28923
0.90%
ITT Inc.
ITT
US45073V1089
78099
0.89%
API Group Corp.
APG
US00187Y1001
340105
0.88%
EchoStar Corp. Class A
SATS
US2787681061
123685
0.87%
Hecla Mining Co.
HL
US4227041062
615697
0.85%
MasTec Inc.
MTZ
US5763231090
56358
0.82%
Okta Inc.
OKTA
US6792951054
154783
0.81%
MACOM Technology Solutions Holdings Inc.
MTSI
US55405Y1001
58846
0.81%
Penumbra Inc.
PEN
US70975L1070
35983
0.79%
CACI International Inc. Class A
CACI
US1271903049
20287
0.79%
Neurocrine Biosciences Inc.
NBIX
US64125C1099
91611
0.76%
TopBuild Corp.
BLD
US89055F1030
25645
0.75%
Medpace Holdings Inc.
MEDP
US58506Q1094
20446
0.71%
Rambus Inc.
RMBS
US7509171069
98910
0.69%
Guidewire Software Inc.
GWRE
US40171V1008
78117
0.69%
Elanco Animal Health Inc.
ELAN
US28414H1032
456525
0.69%
Illumina Inc.
ILMN
US4523271090
75813
0.69%
Texas Roadhouse Inc. Class A
TXRH
US8826811098
60776
0.69%
New York Times Co. Class A
NYT
US6501111073
148451
0.66%
Dynatrace Inc.
DT
US2681501092
277012
0.65%
Nextpower Inc. Class A
NXT
US65290E1010
88621
0.65%
Burlington Stores Inc.
BURL
US1220171060
34901
0.65%
MKS Instruments Inc.
MKSI
US55306N1046
43818
0.64%
Exelixis Inc.
EXEL
US30161Q1040
246345
0.64%
Sterling Construction Co. Inc.
STRL
US8592411016
28225
0.63%
Mueller Industries Inc.
MLI
US6247561029
73441
0.61%
Five Below Inc.
FIVE
US33829M1018
50668
0.61%
Dycom Industries Inc.
DY
US2674751019
26603
0.60%
SPX Technologies Inc.
SPXC
US78473E1038
45790
0.59%
TTM Technologies Inc.
TTMI
US87305R1095
94942
0.58%
Globus Medical Inc.
GMED
US3795772082
102364
0.58%
Jazz Pharmaceuticals plc
JAZZ
IE00B4Q5ZN47
55832
0.57%
Flowserve Corp.
FLS
US34354P1057
116796
0.57%
Lincoln Electric Holdings Inc.
LECO
US5339001068
34380
0.57%
Ensign Group Inc.
ENSG
US29358P1012
52847
0.57%
Tetra Tech Inc.
TTEK
US88162G1031
240195
0.56%
Advanced Energy Industries Inc.
AEIS
US0079731008
34681
0.55%
Encompass Health Corp.
EHC
US29261A1007
92447
0.53%
DT Midstream Inc.
DTM
US23345M1071
67262
0.53%
Chart Industries Inc.
GTLS
US16115Q3083
40604
0.52%
Pinterest Inc. Class A
PINS
US72352L1061
372276
0.51%
AeroVironment Inc.
AVAV
US0080731088
29232
0.51%
Affiliated Managers Group Inc.
AMG
US0082521081
25845
0.51%
Kinsale Capital Group Inc.
KNSL
US49714P1084
20306
0.50%
Coca-Cola Consolidated Inc.
COKE
US1910981026
51975
0.49%
Evercore Inc. Class A
EVR
US29977A1051
22034
0.49%
Halozyme Therapeutics Inc.
HALO
US40637H1095
108050
0.49%
Celsius Holdings Inc.
CELH
US15118V2079
146851
0.47%
Watts Water Technologies Inc. Class A
WTS
US9427491025
25182
0.47%
WP Carey Inc.
WPC
US92936U1097
106717
0.46%
East West Bancorp Inc.
EWBC
US27579R1041
64472
0.46%
TransUnion
TRU
US89400J1079
92786
0.46%
Donaldson Co. Inc.
DCI
US2576511099
71306
0.44%
First Industrial Realty Trust Inc.
FR
US32054K1034
121671
0.44%
Ormat Technologies Inc.
ORA
US6866881021
55847
0.44%
Planet Fitness Inc. Class A
PLNT
US72703H1014
76246
0.43%
Graco Inc.
GGG
US3841091040
77690
0.43%
HealthEquity Inc.
HQY
US42226A1079
79161
0.43%
Wingstop Inc.
WING
US9741551033
25531
0.41%
Entegris Inc.
ENTG
US29362U1043
55717
0.41%
Omega Healthcare Investors Inc.
OHI
US6819361006
146630
0.40%
Stifel Financial Corp.
SF
US8606301021
51459
0.39%
Ollie's Bargain Outlet Holdings Inc.
OLLI
US6811161099
56333
0.39%
RenaissanceRe Holdings Ltd.
RNR
BMG7496G1033
22031
0.39%
Lamar Advertising Co. Class A
LAMR
US5128161099
47887
0.39%
Clean Harbors Inc.
CLH
US1844961078
23536
0.38%
EnerSys
ENS
US29275Y1029
33913
0.38%
FirstCash Holdings Inc.
FCFS
US33768G1076
35685
0.38%
Hexcel Corp.
HXL
US4282911084
73143
0.38%
Churchill Downs Inc.
CHDN
US1714841087
60865
0.38%
Lattice Semiconductor Corp.
LSCC
US5184151042
74152
0.37%
Acuity Brands Inc.
AYI
US00508Y1029
19002
0.37%
Nutanix Inc.
NTNX
US67059N1081
149281
0.37%
Equitable Holdings Inc.
EQH
US29452E1010
126370
0.36%
Antero Midstream Corp.
AM
US03676B1026
306326
0.36%
Equity LifeStyle Properties Inc.
ELS
US29472R1086
90827
0.36%
DocuSign Inc. Class A
DOCU
US2561631068
109019
0.36%
ExlService Holdings Inc.
EXLS
US3020811044
145817
0.36%
BioMarin Pharmaceutical Inc.
BMRN
US09061G1013
100615
0.36%
AAON Inc.
AAON
US0003602069
62177
0.35%
Carlisle Cos. Inc.
CSL
US1423391002
16470
0.35%
Advanced Drainage Systems Inc.
WMS
US00790R1041
36811
0.35%
EastGroup Properties Inc.
EGP
US2772761019
30340
0.35%
Service Corp. International/US
SCI
US8175651046
68264
0.34%
Carlyle Group Inc.
CG
US14316J1088
92987
0.34%
Paylocity Holding Corp.
PCTY
US70438V1061
40473
0.33%
Gaming and Leisure Properties Inc.
GLPI
US36467J1088
117014
0.33%
Hims & Hers Health Inc.
HIMS
US4330001060
191396
0.33%
RPM International Inc.
RPM
US7496851038
48302
0.33%
AECOM
ACM
US00766T1007
53545
0.32%
Manhattan Associates Inc.
MANH
US5627501092
33773
0.32%
Roivant Sciences Ltd.
ROIV
BMG762791017
233501
0.31%
Applied Industrial Technologies Inc.
AIT
US03820C1053
19061
0.31%
Option Care Health Inc.
OPCH
US68404L2016
145846
0.31%
Dick's Sporting Goods Inc.
DKS
US2533931026
24296
0.31%
UL Solutions Inc. Class A
ULS
US9037311076
69144
0.30%
Valmont Industries Inc.
VMI
US9202531011
10860
0.30%
Autoliv Inc.
ALV
US0528001094
39813
0.30%
NewMarket Corp.
NEU
US6515871076
7166
0.30%
Doximity Inc. Class A
DOCS
US26622P1075
126221
0.29%
American Healthcare REIT Inc.
AHR
US3981823038
99153
0.28%
Boyd Gaming Corp.
BYD
US1033041013
53117
0.28%
Primerica Inc.
PRI
US74164M1080
17008
0.28%
Houlihan Lokey Inc. Class A
HLI
US4415931009
26547
0.28%
SEI Investments Co.
SEIC
US7841171033
50444
0.28%
Grand Canyon Education Inc.
LOPE
US38526M1062
25388
0.28%
Onto Innovation Inc.
ONTO
US6833441057
21615
0.27%
Qualys Inc.
QLYS
US74758T3032
32947
0.27%
National Fuel Gas Co.
NFG
US6361801011
51477
0.27%
MP Materials Corp.
MP
US5533681012
73018
0.27%
Sabra Health Care REIT Inc.
SBRA
US78573L1061
229106
0.27%
Old Republic International Corp.
ORI
US6802231042
108769
0.26%
Crane Co.
CR
US2244081046
22941
0.26%
Hyatt Hotels Corp. Class A
H
US4485791028
26513
0.26%
Core & Main Inc. Class A
CNM
US21874C1027
77091
0.26%
Travel + Leisure Co.
TNL
US8941641024
59103
0.26%
Dropbox Inc. Class A
DBX
US26210C1045
160262
0.25%
Cullen/Frost Bankers Inc.
CFR
US2298991090
29375
0.25%
Chewy Inc.
CHWY
US16679L1098
138550
0.25%
Appfolio Inc.
APPF
US03783C1009
21200
0.25%
Repligen Corp.
RGEN
US7599161095
26740
0.25%
STAG Industrial Inc.
STAG
US85254J1025
104669
0.24%
Oshkosh Corp.
OSK
US6882392011
26735
0.24%
Cytokinetics Inc.
CYTK
US23282W6057
60663
0.24%
Valvoline Inc.
VVV
US92047W1018
116795
0.23%
UiPath Inc. Class A
PATH
US90364P1057
294556
0.23%
Pegasystems Inc.
PEGA
US7055731035
84210
0.23%
Federated Investors Inc. Class B
FHI
US3142111034
67901
0.23%
MSA Safety Inc.
MSA
US5534981064
20289
0.22%
Dutch Bros Inc. Class A
BROS
US26701L1008
65362
0.22%
CubeSmart
CUBE
US2296631094
94285
0.22%
Cirrus Logic Inc.
CRUS
US1727551004
26726
0.22%
Brixmor Property Group Inc.
BRX
US11120U1051
129375
0.22%
GATX Corp.
GATX
US3614481030
19025
0.22%
Sotera Health Co.
SHC
US83601L1026
190552
0.22%
Brink's Co.
BCO
US1096961040
27103
0.22%
Valaris Ltd.
VAL
BMG9460G1015
59453
0.22%
IDACORP Inc.
IDA
US4511071064
25822
0.22%
Agree Realty Corp.
ADC
US0084921008
47441
0.21%
Fortune Brands Home & Security Inc.
FBIN
US34964C1062
62919
0.21%
Duolingo Inc.
DUOL
US26603R1068
25368
0.21%
StandardAero Inc.
SARO
US85423L1035
109977
0.21%
Ryan Specialty Holdings Inc. Class A
RYAN
US78351F1075
68721
0.21%
American Financial Group Inc./OH
AFG
US0259321042
25442
0.21%
Simpson Manufacturing Co. Inc.
SSD
US8290731053
18666
0.21%
LivaNova plc
LIVN
GB00BYMT0J19
50173
0.21%
Masimo Corp.
MASI
US5747951003
23912
0.20%
National Retail Properties Inc.
NNN
US6374171063
75036
0.20%
elf Beauty Inc.
ELF
US26856L1035
36713
0.20%
Littelfuse Inc.
LFUS
US5370081045
9610
0.19%
Eagle Materials Inc.
EXP
US26969P1084
15025
0.19%
Nexstar Media Group Inc. Class A
NXST
US65336K1034
14406
0.19%
Genpact Ltd.
G
BMG3922B1072
69244
0.19%
Bentley Systems Inc. Class B
BSY
US08265T2087
86208
0.19%
Cognex Corp.
CGNX
US1924221039
76996
0.18%
Hamilton Lane Inc. Class A
HLNE
US4074971064
20288
0.18%
WEX Inc.
WEX
US96208T1043
18588
0.18%
MGIC Investment Corp.
MTG
US5528481030
104844
0.18%
Lantheus Holdings Inc.
LNTH
US5165441032
42041
0.18%
Esab Corp.
ESAB
US29605J1060
23072
0.18%
SLM Corp.
SLM
US78442P1066
102605
0.17%
Chemed Corp.
CHE
US16359R1032
6377
0.17%
Bio-Rad Laboratories Inc. Class A
BIO
US0905722072
9188
0.17%
Kirby Corp.
KEX
US4972661064
22908
0.17%
Wyndham Hotels & Resorts Inc.
WH
US98311A1051
36792
0.17%
Allegro MicroSystems Inc.
ALGM
US01749D1054
71795
0.17%
MAXIMUS Inc.
MMS
US5779331041
27959
0.16%
Weatherford International plc
WFRD
IE00BLNN3691
27681
0.16%
Sprouts Farmers Market Inc.
SFM
US85208M1027
35786
0.16%
Hilton Grand Vacations Inc.
HGV
US43283X1054
55019
0.15%
Hanover Insurance Group Inc.
THG
US4108671052
14059
0.15%
Amkor Technology Inc.
AMKR
US0316521006
50149
0.15%
Bruker Corp.
BRKR
US1167941087
54013
0.15%
Mattel Inc.
MAT
US5770811025
114227
0.15%
H&R Block Inc.
HRB
US0936711052
60404
0.15%
Shift4 Payments Inc. Class A
FOUR
US82452J1097
40352
0.15%
Essent Group Ltd.
ESNT
BMG3198U1027
37303
0.15%
Cava Group Inc.
CAVA
US1489291021
38493
0.14%
Parsons Corp.
PSN
US70202L1026
32778
0.14%
Silicon Laboratories Inc.
SLAB
US8269191024
15998
0.14%
Vontier Corp.
VNT
US9288811014
58661
0.14%
PNM Resources Inc.
TXNM
US69349H1077
36929
0.14%
Morningstar Inc.
MORN
US6177001095
10740
0.14%
Vail Resorts Inc.
MTN
US91879Q1094
16187
0.13%
Warner Music Group Corp. Class A
WMG
US9345502036
71043
0.13%
CommVault Systems Inc.
CVLT
US2041661024
24714
0.13%
Texas Capital Bancshares Inc.
TCBI
US88224Q1076
20550
0.13%
Novanta Inc.
NOVT
CA67000B1040
15449
0.13%
Universal Display Corp.
OLED
US91347P1057
17875
0.12%
EPR Properties
EPR
US26884U1097
36378
0.12%
Spire Inc.
SR
US84857L1017
23320
0.12%
Belden Inc.
BDC
US0774541066
16610
0.12%
FTI Consulting Inc.
FCN
US3029411093
11123
0.12%
YETI Holdings Inc.
YETI
US98585X1046
42180
0.12%
Gentex Corp.
GNTX
US3719011096
80467
0.11%
Graham Holdings Co. Class B
GHC
US3846371041
1499
0.11%
Bill.Com Holdings Inc.
BILL
US0900431000
40132
0.11%
Abercrombie & Fitch Co.
ANF
US0028962076
17732
0.11%
Haemonetics Corp.
HAE
US4050241003
25806
0.11%
Exponent Inc.
EXPO
US30214U1025
23835
0.11%
Northwestern Energy Group Inc.
NWE
US6680743050
24826
0.10%
International Bancshares Corp.
IBOC
US4590441030
23355
0.10%
Dolby Laboratories Inc. Class A
DLB
US25659T1079
25298
0.10%
Lancaster Colony Corp.
MZTI
US5138471033
9344
0.10%
First Financial Bankshares Inc.
FFIN
US32020R1095
50290
0.09%
MSC Industrial Direct Co. Inc. Class A
MSM
US5535301064
17654
0.09%
Knife River Corp.
KNF
US4988941047
20825
0.08%
Corporate Office Properties Trust
CDP
US22002T1088
43595
0.08%
Avis Budget Group Inc.
CAR
US0537741052
10866
0.07%
Capri Holdings Ltd.
CPRI
VGG1890L1076
52546
0.07%
BellRing Brands Inc.
BRBR
US07831C1036
47458
0.07%
ZoomInfo Technologies Inc. Class A
GTM
US98980F1049
146126
0.07%
Choice Hotels International Inc.
CHH
US1699051066
11204
0.06%
Crane NXT Co.
CXT
US2244411052
19511
0.06%
Blackbaud Inc.
BLKB
US09227Q1004
16849
0.05%
National Storage Affiliates Trust
NSA
US6378701063
27315
0.05%
Crocs Inc.
CROX
US2270461096
10034